Name Net reduced
positions
Reduced positions Increased positions Return since
30 Sep ‘13
26
17 34 17 1.03%
27
17 67 50 52.2%
28
17 73 56 90.1%
CLB icon
29
Core Laboratories
CLB
$805M
16 121 105 90%
30
16 31 15 33.3%
31
16 45 29 77.3%
32
16 28 12 78.3%
33
15 49 34 77.8%
34
15 70 55 15.1%
35
14 40 26 153%
PBP icon
36
Invesco S&P 500 BuyWrite ETF
PBP
$327M
14 23 9 13.5%
37
14 26 12 5.73%
38
13 66 53 94.6%
39
13 20 7 121%
40
13 21 8 98.6%
41
13 55 42 56.8%
42
13 32 19 28.5%
43
13 48 35 24.4%
44
12 22 10 88.9%
45
12 70 58 72.3%
46
12 67 55 55.6%
47
12 54 42 55.2%
48
12 42 30 67.7%
49
12 80 68 83.7%
50
12 30 18 21.1%